package test.pcs;

import com.alibaba.fastjson.JSON;
import com.alibaba.fastjson.JSONObject;
import com.payment.lc.pcs.common.enums.BizType;
import com.payment.lc.pcs.service.api.DynamicDataService;
import com.payment.lc.pcs.service.api.ProductionService;
import com.payment.lc.pcs.service.api.fund.JMFundService;
import com.payment.lc.pcs.service.bo.fund.ImportResponse;
import com.payment.lc.pcs.service.bo.fund.JMFundDetailInfo;
import com.payment.lc.pcs.service.domain.ListWrapper;
import com.payment.lc.pcs.service.domain.ProductionFeeV2;
import org.junit.Test;
import org.springframework.beans.factory.annotation.Autowired;
import test.BaseTest;

import java.text.SimpleDateFormat;
import java.util.HashMap;

/**
 * Created on 2016/8/8.
 */
public class Demo2PcsTest3 extends BaseTest {
    private SimpleDateFormat sdf = new SimpleDateFormat("yyyy-MM-dd");

    @Autowired
    DynamicDataService dynamicDataService;
    @Autowired
    JMFundService jmFundService;
//    @Autowired
//    private InterestRateService interestRateService;

    @Autowired
    ProductionService productionService;

    @Test
    public void test() {
        test2();
    }

    void test1() {
        ListWrapper<ProductionFeeV2> feeV2 = productionService.getFeeV2("110030", BizType.Fundin);
        display(feeV2);
    }

    void test2(){
        JMFundDetailInfo detailInfo = getJmFundDetailInfo(str3);
        display(detailInfo);
        ImportResponse resp = jmFundService.importDetailInfo(detailInfo);
        display(resp);
    }

    void test3() {

        JMFundDetailInfo detailInfo = getJmFundDetailInfo(str1);

        HashMap<String, Object> ext = new HashMap<>();
        ext.put("xxxx", "xxx");
        detailInfo.setExtension(ext);

//        detailInfo.setFundDividendInfoList(jsonObject.get("fundDividendInfoList").toString());

        ImportResponse response = jmFundService.importDetailInfo(detailInfo);
        display(response);

    }

    private JMFundDetailInfo getJmFundDetailInfo(String str) {
        JSONObject jsonObject = JSON.parseObject(str);
        JMFundDetailInfo detailInfo = new JMFundDetailInfo();
        detailInfo.setFundCode(getString(jsonObject.get("fundCode")));
        detailInfo.setOriginalMaxRate(getString(jsonObject.get("originalMaxRate")));
        detailInfo.setFundObjectInfo(getString(jsonObject.get("fundObjectInfo")));
        detailInfo.setFundAssetConfigPieChart(getString(jsonObject.get("fundAssetConfigPieChart")));
        detailInfo.setFundHoldStockList(getString(jsonObject.get("fundHoldStockList")));
        detailInfo.setFundHoldBondList(getString(jsonObject.get("fundHoldBondList")));
        detailInfo.setFundManagerList(getString(jsonObject.get("fundManagerList")));
        detailInfo.setFundInvestRisk(getString(jsonObject.get("fundInvestRisk")));
        detailInfo.setFundRateMap(getString(jsonObject.get("fundRateMap")));
        detailInfo.setFundDividendInfoList(getString(jsonObject.get("fundDividendInfoList")));
        return detailInfo;
    }

    public String getString(Object o) {
        return o == null ? null : o.toString();
    }
//    void test3() {
//        String channelProdCode = "405";
//        String providerCode = "GH";
//        String prodCode = dynamicDataService.getProdCodeByChannelProdCode(channelProdCode,providerCode);
//        System.out.println(prodCode);
//    }
//    void test5() {
//        String channelProdCode = "405";
//        String providerCode = "GH";
//        InterestRateImportRequest req = new InterestRateImportRequest();
//        req.setChannelProdCode(channelProdCode);
//        req.setProviderCode("GH");
//        req.setYearYield(new BigDecimal(4.05));
//        BaseResponse baseResponse = interestRateService.importInterestRate(req);
//        display(baseResponse);
//    }

    static String str3 = "{\n" +
            "  \"fundCode\": \"000509\",\n" +
            "  \"isCurrency\": 1,\n" +
            "  \"isHuShn300\": 0,\n" +
            "  \"originalMaxRate\": \"0.00\",\n" +
            "  \"discountMaxRate\": \"0.00\",\n" +
            "  \"displayDiscountRate\": \"0\",\n" +
            "  \"fundObjectInfo\": {\n" +
            "    \"innerCode\": 102004106,\n" +
            "    \"fundID\": 102004105,\n" +
            "    \"fundCode\": \"000509\",\n" +
            "    \"fundName\": \"广发钱袋子货币市场基金\",\n" +
            "    \"fundShortName\": \"广发钱袋子\",\n" +
            "    \"estabDate\": \"2014-01-10 00:00:00\",\n" +
            "    \"orgCode\": 200507885,\n" +
            "    \"orgFullName\": \"广发钱袋子货币市场基金\",\n" +
            "    \"managerCode\": 200032347,\n" +
            "    \"managerName\": \"广发基金管理有限公司\",\n" +
            "    \"trupCode\": 200080469,\n" +
            "    \"trupName\": \"广发银行股份有限公司\",\n" +
            "    \"fundType\": 2,\n" +
            "    \"fundTypeMark\": \"货币型\",\n" +
            "    \"fundStatus\": 0,\n" +
            "    \"fundStatusMark\": \"开放交易\",\n" +
            "    \"investType\": 2,\n" +
            "    \"investTypeMark\": \"货币型\",\n" +
            "    \"investStyle\": 2,\n" +
            "    \"investStyleMark\": \"货币型\",\n" +
            "    \"riskLevel\": \"05\",\n" +
            "    \"riskLevelMark\": \"高风险\"\n" +
            "  },\n" +
            "  \"fundNatProfitInfo\": {\n" +
            "    \"unitNet\": \"0.00\",\n" +
            "    \"facUnitNet\": \"0.00\",\n" +
            "    \"accumulateNet\": \"0.00\",\n" +
            "    \"unitNetChng\": \"0.00\",\n" +
            "    \"unitNetChngPct\": \"0.00\",\n" +
            "    \"unitNetChngPctOneWeek\": \"0.00\",\n" +
            "    \"unitNetChngPctOneMon\": \"0.00\",\n" +
            "    \"unitNetChngPctThreeMon\": \"0.00\",\n" +
            "    \"unitNetChngPctSixMon\": \"0.00\",\n" +
            "    \"unitNetChngPctOneYear\": \"0.00\",\n" +
            "    \"endDate\": \"2017-04-11 00:00:00\",\n" +
            "    \"tenThouUnitIncome\": \"1.1164\",\n" +
            "    \"yearYld\": \"4.37\"\n" +
            "  },\n" +
            "  \"fundAssetConfigPieChart\": {\n" +
            "    \"endDate\": \"2016-03-31 00:00:00\",\n" +
            "    \"assetTotal\": \"12212696925.45\",\n" +
            "    \"fundTotalShares\": \"10751183422.64\",\n" +
            "    \"stockValue\": \"0.00\",\n" +
            "    \"stockValueAssetProp\": \"0.00\",\n" +
            "    \"bondValue\": \"5796873264.92\",\n" +
            "    \"bondValueAssetProp\": \"47.47\",\n" +
            "    \"depositReckonUp\": \"4674577853.66\",\n" +
            "    \"depositReckonUpAssetProp\": \"38.28\",\n" +
            "    \"otherAssetValue4Display\": \"1741245806.87\",\n" +
            "    \"otherAssetValueTotalProp4Display\": \"14.25\"\n" +
            "  },\n" +
            "  \"fundHoldBondList\": [\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103064606,\n" +
            "      \"bondCode\": \"111593157\",\n" +
            "      \"bondName\": \"15包商银行CD031\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"5400000.00\",\n" +
            "      \"buyCost\": \"526894141.81\",\n" +
            "      \"buyCostEndValueProp\": \"4.90\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103064622,\n" +
            "      \"bondCode\": \"111593173\",\n" +
            "      \"bondName\": \"15盛京银行CD089\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"3500000.00\",\n" +
            "      \"buyCost\": \"341623237.21\",\n" +
            "      \"buyCostEndValueProp\": \"3.18\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103064408,\n" +
            "      \"bondCode\": \"111691608\",\n" +
            "      \"bondName\": \"16广州农村商业银行CD020\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"3000000.00\",\n" +
            "      \"buyCost\": \"298262992.37\",\n" +
            "      \"buyCostEndValueProp\": \"2.77\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103064392,\n" +
            "      \"bondCode\": \"111691659\",\n" +
            "      \"bondName\": \"16洛阳银行CD014\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"3000000.00\",\n" +
            "      \"buyCost\": \"293682391.18\",\n" +
            "      \"buyCostEndValueProp\": \"2.73\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103064338,\n" +
            "      \"bondCode\": \"111519105\",\n" +
            "      \"bondName\": \"15恒丰银行CD105\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"2800000.00\",\n" +
            "      \"buyCost\": \"278075473.49\",\n" +
            "      \"buyCostEndValueProp\": \"2.59\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103064442,\n" +
            "      \"bondCode\": \"111691533\",\n" +
            "      \"bondName\": \"16苏州银行CD031\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"2700000.00\",\n" +
            "      \"buyCost\": \"268477651.31\",\n" +
            "      \"buyCostEndValueProp\": \"2.50\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103061453,\n" +
            "      \"bondCode\": \"011699485\",\n" +
            "      \"bondName\": \"16南方水泥SCP002\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"2000000.00\",\n" +
            "      \"buyCost\": \"199887879.20\",\n" +
            "      \"buyCostEndValueProp\": \"1.86\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103061278,\n" +
            "      \"bondCode\": \"011699453\",\n" +
            "      \"bondName\": \"16新兴际华SCP002\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"2000000.00\",\n" +
            "      \"buyCost\": \"199889711.19\",\n" +
            "      \"buyCostEndValueProp\": \"1.86\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103061978,\n" +
            "      \"bondCode\": \"041664020\",\n" +
            "      \"bondName\": \"16张家公资CP001\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"2000000.00\",\n" +
            "      \"buyCost\": \"199844708.59\",\n" +
            "      \"buyCostEndValueProp\": \"1.86\"\n" +
            "    },\n" +
            "    {\n" +
            "      \"stockInnerCode\": 0,\n" +
            "      \"holdStockSum\": 0,\n" +
            "      \"holdStockValue\": \"0.00\",\n" +
            "      \"totalValuePropStock\": \"0.00\",\n" +
            "      \"bondInnerCode\": 103064700,\n" +
            "      \"bondCode\": \"111607028\",\n" +
            "      \"bondName\": \"16招行CD028\",\n" +
            "      \"declareDateBond\": \"2016-04-22 00:00:00\",\n" +
            "      \"bondSum\": \"2000000.00\",\n" +
            "      \"buyCost\": \"199425798.49\",\n" +
            "      \"buyCostEndValueProp\": \"1.85\"\n" +
            "    }\n" +
            "  ],\n" +
            "  \"fundManagerList\": [\n" +
            "    {\n" +
            "      \"fundID\": 102004105,\n" +
            "      \"declareDate\": \"2014-05-30 00:00:00\",\n" +
            "      \"individualID\": 302003350,\n" +
            "      \"postDate\": \"2014-05-30 00:00:00\",\n" +
            "      \"post\": 1,\n" +
            "      \"postMark\": \"基金经理\",\n" +
            "      \"postStatus\": 1,\n" +
            "      \"postStatusMark\": \"在职\",\n" +
            "      \"resiDate\": \"2014-05-30 00:00:00\",\n" +
            "      \"leaveRsn\": 15,\n" +
            "      \"leaveRsnMark\": \"开始任职\",\n" +
            "      \"individualName\": \"任爽\",\n" +
            "      \"fundIndividualInfo\": {\n" +
            "        \"individualID\": 302003350,\n" +
            "        \"declareDate\": \"2016-05-20 00:00:00\",\n" +
            "        \"name\": \"任爽\",\n" +
            "        \"birthYear\": 0,\n" +
            "        \"gender\": 2,\n" +
            "        \"genderMark\": \"女\",\n" +
            "        \"poli\": 0,\n" +
            "        \"poliMark\": \"不详\",\n" +
            "        \"edu\": 3,\n" +
            "        \"eduMark\": \"硕士\",\n" +
            "        \"expeNumYear\": 1970,\n" +
            "        \"resume\": \"    任爽,女,中国籍,经济学硕士,8年证券从业经历,持有证券业执业资格证书,2008年7月至今在广发基金管理有限公司固定收益部兼任交易员和研究员,2012年12月12日起任广发纯债债券基金的基金经理,2013年6月20日起任广发理财7天债券基金的基金经理,2013年10月22日起任广发天天红发起式货币基金经理,2014年1月27日起任广发天天利货币市场基金的基金经理,2014年5月30日起任广发钱袋子货币市场基金的基金经理,2014年8月28日起任广发活期宝货币市场基金的基金经理,2015年6月8日起任广发聚泰混合基金的基金经理,2016年3月21日起任广发稳鑫保本基金的基金经理。\",\n" +
            "        \"nation\": 231,\n" +
            "        \"nationMark\": \"中国\"\n" +
            "      }\n" +
            "    }\n" +
            "  ],\n" +
            "  \"fundRateMap\": {\n" +
            "    \"601\": [\n" +
            "      {\n" +
            "        \"condition\": \" -- \",\n" +
            "        \"rate\": \"0.00%\"\n" +
            "      }\n" +
            "    ],\n" +
            "    \"301\": [\n" +
            "      {\n" +
            "        \"condition\": \"销售服务费\",\n" +
            "        \"rate\": \"0.22%\"\n" +
            "      }\n" +
            "    ],\n" +
            "    \"201\": [\n" +
            "      {\n" +
            "        \"condition\": \"基金托管费\",\n" +
            "        \"rate\": \"0.05%\"\n" +
            "      }\n" +
            "    ],\n" +
            "    \"401\": [\n" +
            "      {\n" +
            "        \"condition\": \" -- \",\n" +
            "        \"rate\": \"0.00%\"\n" +
            "      }\n" +
            "    ],\n" +
            "    \"501\": [\n" +
            "      {\n" +
            "        \"condition\": \" -- \",\n" +
            "        \"rate\": \"0.00%\"\n" +
            "      }\n" +
            "    ],\n" +
            "    \"101\": [\n" +
            "      {\n" +
            "        \"condition\": \"基金管理费\",\n" +
            "        \"rate\": \"0.30%\"\n" +
            "      }\n" +
            "    ]\n" +
            "  },\n" +
            "  \"fundDividendInfoList\": [],\n" +
            "  \"fundSplitInfoList\": []\n" +
            "}";
    static String str2 = "{\n" +
            "  \"fundCode\": \"000217\",\n" +
            "  \"isCurrency\": 0,\n" +
            "  \"isHuShn300\": 1,\n" +
            "  \"originalMaxRate\": \"0.00\",\n" +
            "  \"discountMaxRate\": \"0.00\",\n" +
            "  \"displayDiscountRate\": \"0\",\n" +
            "  \"fundObjectInfo\": {\n" +
            "    \"innerCode\": 102003620,\n" +
            "    \"fundID\": 102003618,\n" +
            "    \"fundCode\": \"000217\",\n" +
            "    \"fundName\": \"华安易富黄金交易型开放式证券投资基金联接基金\",\n" +
            "    \"fundShortName\": \"华安黄金易ETF联接C\",\n" +
            "    \"estabDate\": \"2013-08-22 00:00:00\",\n" +
            "    \"orgCode\": 200491274,\n" +
            "    \"orgFullName\": \"华安易富黄金交易型开放式证券投资基金联接基金\",\n" +
            "    \"managerCode\": 200002144,\n" +
            "    \"managerName\": \"华安基金管理有限公司\",\n" +
            "    \"trupCode\": 200001221,\n" +
            "    \"trupName\": \"中国建设银行股份有限公司\",\n" +
            "    \"fundType\": 5,\n" +
            "    \"fundTypeMark\": \"指数型\",\n" +
            "    \"fundStatus\": 0,\n" +
            "    \"fundStatusMark\": \"开放交易\",\n" +
            "    \"investType\": 5,\n" +
            "    \"investTypeMark\": \"指数型\",\n" +
            "    \"investStyle\": 5,\n" +
            "    \"investStyleMark\": \"指数型\",\n" +
            "    \"riskLevel\": \"05\",\n" +
            "    \"riskLevelMark\": \"高风险\"\n" +
            "  },\n" +
            "  \"fundNatProfitInfo\": {\n" +
            "    \"tradeDate\": \"2017-04-11 00:00:00\",\n" +
            "    \"unitNet\": \"1.0458\",\n" +
            "    \"facUnitNet\": \"1.0458\",\n" +
            "    \"accumulateNet\": \"1.0458\",\n" +
            "    \"unitNetChng\": \"0.0013\",\n" +
            "    \"unitNetChngPct\": \"0.1245\",\n" +
            "    \"unitNetChngPctOneWeek\": \"1.406\",\n" +
            "    \"unitNetChngPctOneMon\": \"4.153\",\n" +
            "    \"unitNetChngPctThreeMon\": \"4.6533\",\n" +
            "    \"unitNetChngPctSixMon\": \"3.0345\",\n" +
            "    \"unitNetChngPctOneYear\": \"7.8144\",\n" +
            "    \"tenThouUnitIncome\": \"0.00\",\n" +
            "    \"yearYld\": \"0.00\"\n" +
            "  },\n" +
            "  \"currencyProfitTrendChartMap\": {},\n" +
            "  \"currencyYieldTrendChartMap\": {},\n" +
            "  \"fundGrowthRateAnalysis\": {\n" +
            "    \"fundCode\": \"000217\",\n" +
            "    \"endDate\": \"2017-04-11 00:00:00\",\n" +
            "    \"fundType\": 9,\n" +
            "    \"weekGrowthRate\": \"1.406\",\n" +
            "    \"monthGrowthRate\": \"4.153\",\n" +
            "    \"quarterGrowthRate\": \"4.6533\",\n" +
            "    \"halfYearGrowthRate\": \"3.0345\",\n" +
            "    \"yearGrowthRate\": \"7.8144\",\n" +
            "    \"currentYearGrowthRate\": \"6.7252\",\n" +
            "    \"twoYearGrowthRate\": \"17.1109\",\n" +
            "    \"threeYearGrowthRate\": \"7.7034\",\n" +
            "    \"establishGrowthRate\": \"4.58\",\n" +
            "    \"weekGrowthRateRank\": 121,\n" +
            "    \"monthGrowthRateRank\": 22,\n" +
            "    \"quarterGrowthRateRank\": 95,\n" +
            "    \"halfYearGrowthRateRank\": 112,\n" +
            "    \"yearGrowthRateRank\": 95,\n" +
            "    \"twoYearGrowthRateRank\": 5,\n" +
            "    \"threeYearGrowthRateRank\": 117,\n" +
            "    \"currentYearGrowthRateRank\": 49,\n" +
            "    \"establishGrowthRateRank\": 142,\n" +
            "    \"weekGrowthRateAvg\": \"1.6814\",\n" +
            "    \"monthGrowthRateAvg\": \"2.0491\",\n" +
            "    \"quarterGrowthRateAvg\": \"4.2353\",\n" +
            "    \"halfYearGrowthRateAvg\": \"3.4641\",\n" +
            "    \"yearGrowthRateAvg\": \"8.1318\",\n" +
            "    \"currentYearGrowthRateAvg\": \"4.9421\",\n" +
            "    \"twoYearGrowthRateAvg\": \"-12.4633\",\n" +
            "    \"threeYearGrowthRateAvg\": \"53.7849\",\n" +
            "    \"establishGrowthRateAvg\": \"25.0481\",\n" +
            "    \"weekGrowthRateRankChange\": -12,\n" +
            "    \"monthGrowthRateRankChange\": -9,\n" +
            "    \"quarterGrowthRateRankChange\": -62,\n" +
            "    \"halfYearGrowthRateRankChange\": -2,\n" +
            "    \"yearGrowthRateRankChange\": 4,\n" +
            "    \"twoYearGrowthRateRankChange\": 0,\n" +
            "    \"threeYearGrowthRateRankChange\": 0,\n" +
            "    \"currentYearGrowthRateRankChange\": -4,\n" +
            "    \"establishGrowthRateRankChange\": -4,\n" +
            "    \"currentYearGrowthRateRankTotal\": 209,\n" +
            "    \"weekGrowthRateRankTotal\": 209,\n" +
            "    \"monthGrowthRateRankTotal\": 209,\n" +
            "    \"quarterGrowthRateRankTotal\": 200,\n" +
            "    \"halfYearGrowthRateRankTotal\": 200,\n" +
            "    \"yearGrowthRateRankTotal\": 174,\n" +
            "    \"twoYearGrowthRateRankTotal\": 145,\n" +
            "    \"threeYearGrowthRateRankTotal\": 122,\n" +
            "    \"establishGrowthRateRankTotal\": 209,\n" +
            "    \"total\": 209,\n" +
            "    \"dayGrowthRate\": \"0.1245\",\n" +
            "    \"dayGrowthRateRank\": 156,\n" +
            "    \"dayGrowthRateAvg\": \"0.4077\",\n" +
            "    \"dayGrowthRateRankChange\": -32,\n" +
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            "      \"post\": 1,\n" +
            "      \"postMark\": \"基金经理\",\n" +
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            "        \"eduMark\": \"博士\",\n" +
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            "        \"resume\": \"    许之彦先生,理学博士,12年证券、基金从业经验,CQF(国际数量金融工程师)。曾在广发证券和中山大学经济管理学院博士后流动站从事金融工程工作,2005年加入华安基金管理有限公司,曾任研究发展部数量策略分析师,2008年4月至2012年12月担任华安MSCI中国A股指数增强型证券投资基金的基金经理,2009年9月起同时担任上证180交易型开放式指数证券投资基金及其联接基金的基金经理。2010年11月至2012年12月担任上证龙头企业交易型开放式指数证券投资基金及其联接基金的基金经理。2011年9月起同时担任华安深证300指数证券投资基金(LOF)的基金经理。2013年6月起担任指数投资部高级总监。2013年7月起同时担任华安易富黄金交易型开放式证券投资基金的基金经理。2013年8月起同时担任华安易富黄金交易型开放式证券投资基金联接基金的基金经理。2014年11月起担任华安中证高分红指数增强型证券投资基金的基金经理。2015年6月起同时担任华安中证全指证券公司指数分级证券投资基金、华安中证银行指数分级证券投资基金的基金经理。2015年7月起担任华安创业板50指数分级证券投资基金的基金经理。\",\n" +
            "        \"nation\": 231,\n" +
            "        \"nationMark\": \"中国\"\n" +
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